- What does OPGIX invest in?
- The fund predominantly allocates its assets to equity instruments issued by companies across both the U.S. and international markets. Beyond ordinary common stock, it also has the flexibility to invest in other equity-linked securities, such as preferred shares, convertible bonds, stock rights, or warrants. It typically diversifies its holdings across numerous global economies, with the ability to invest in any nation, including those considered developing or emerging markets. A core strategy is to maintain investments in at least four distinct countries, with the United States always being one of them.
- What is the expense ratio of OPGIX?
- An expense ratio for Invesco Global Opportunities A (OPGIX) is not available from our data sources — neither our market-data feed nor the SEC's structured prospectus and annual-report datasets report one for this share class. The fund's prospectus on the issuer's site carries the authoritative fee.
- How big is OPGIX?
- Invesco Global Opportunities A (OPGIX) manages $2.33B in total assets. AUM determines bid-ask liquidity and the fund's vulnerability to closure — funds below ~$50M are at higher risk of liquidation.
- Is OPGIX actively managed or an index fund?
- OPGIX's management style is described in the fund's prospectus. See the description on the Summary tab for the published strategy.
- When was OPGIX launched?
- Invesco Global Opportunities A (OPGIX) launched in October 1990 and is managed by Invesco.
- How has OPGIX performed?
- OPGIX's total return — price change plus reinvested distributions — is charted at the top of this page. Switch the price chart to Total Return and pick a 1-year, 3-year, 5-year, or 10-year window to read the compound annual growth rate (CAGR) over each horizon.